National Australia Bank Limited

The principal activities of the Group during the year were banking services, credit and access card facilities, leasing, housing and general finance, international banking, investment banking, wealth management services, funds management and custodian, trustee and nominee services.

Australian Securities Exchange: NAB

Indices

Sectors

Industry Groups

Comparative Analysis

Income Statement

($'M) $ Change % Change
Revenue 23,111.0 18,034.0 -5,077.0 -22.0
Less: Cost of Goods Sold -9,234.0 -4,241.0 4,993.0 -54.1
Gross Profit 32,345.0 22,275.0 -10,070.0 -31.1
Less: Operating Costs -5,962.0 -4,927.0 1,035.0 -17.4
Operating Profit 38,307.0 27,202.0 -11,105.0 -29.0
Less: Financing Costs -2,752.0 202.0 2,954.0 -107.3
Earnings Before Tax 41,059.0 27,000.0 -14,059.0 -34.2
Less: Income Tax -1,665.0 -2,597.0 -932.0 56.0
Net Profit 42,724.0 29,597.0 -13,127.0 -30.7

Company vs Index

Company vs Sector

Company vs Industry Group

Balance Sheet

($'M) $ Change % Change
Current Assets 866,565.0 925,968.0 59,403.0 6.9
Non Current Assets 0.0 0.0 0.0 0.0
Assets 866,565.0 925,968.0 59,403.0 6.9
Current Liabilities 805,272.0 863,189.0 57,917.0 7.2
Non Current Liabilities 0.0 0.0 0.0 0.0
Liabilities 805,272.0 863,189.0 57,917.0 7.2
Equity 61,293.0 62,779.0 1,486.0 2.4

Company vs Index

Company vs Sector

Company vs Industry Group

Cash Flow Statement

($'M) $ Change % Change
Cash Flow from Operating Activities 33,892.0 759.0 -33,133.0 -97.8
Cash Flow from Financing Activities -16,820.0 -22,045.0 -5,225.0 31.1
Cash Flow from Investing Activities -702.0 -3,694.0 -2,992.0 426.2
Net Cash Flow 16,370.0 -24,980.0 -41,350.0 -252.6
Foreign Exchange Fluctuations -1,355.0 820.0 2,175.0 -160.5
Cash at the Beginning of the Period 47,026.0 62,041.0 15,015.0 31.9
Cash at the End of the Period 62,041.0 37,881.0 -24,160.0 -38.9

Company vs Index

Company vs Sector

Company vs Industry Group

Ratio Analysis

Profitability

Change
Gross Profit Margin 140.0% 123.5% -16.4%
Operating Profit Margin 165.8% 150.8% -14.9%
Net Profit Margin 184.9% 164.1% -20.7%

Company vs Index

Company vs Sector

Company vs Industry Group

Management Effectiveness

Change
Return on Assets 4.9% 3.2% -1.7%
Return on Equity 69.7% 47.1% -22.6%
Current Ratio 1.1 1.1 0.0
Debt to Equity Ratio 13.1 13.7 0.6

Company vs Index

Company vs Sector

Company vs Industry Group

Valuation

Change  
Share Price ($) 17.75 27.83 10.08 56.8%
Ordinary Shares 3,290,093,389 3,281,993,753 -8,099,636 -0.2%
Market Capitalisation ($) 58,399,157,655 91,337,886,146 32,938,728,491 56.4%
Revenue per Share ($) 7.02 5.49 -1.53 -21.8%
Earnings per Share ($) 12.99 9.02 -3.97 -30.6%
Equity per Share ($) 18.63 19.13 0.50 2.7%
Dividends per Share ($) 0.71 0.82 0.11 15.7%
Dividend Yield 4.0% 2.9% -1.0%  
Price to Sales Ratio 2.5 5.1 2.5 100.4%
Price to Earnings Ratio 1.4 3.1 1.7 125.8%
Price to Book Ratio 1.0 1.5 0.5 52.7%

Company vs Index

Company vs Sector

Company vs Industry Group